US Stock MarketDetailed Quotes

PHVS Pharvaris

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  • 21.900
  • -0.460-2.06%
Close Nov 29 13:00 ET
1.19BMarket Cap-7981P/E (TTM)

Pharvaris Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
92.72%305.19M
91.74%343.57M
172.48%368.34M
141.74%391.23M
141.74%391.23M
-19.91%158.36M
-11.02%179.19M
-30.60%135.18M
-22.70%161.84M
-22.70%161.84M
-Cash and cash equivalents
92.72%305.19M
91.74%343.57M
172.48%368.34M
141.74%391.23M
141.74%391.23M
-19.91%158.36M
-11.02%179.19M
-30.60%135.18M
-22.70%161.84M
-22.70%161.84M
Receivables
727.33%2.73M
381.87%1.61M
113.81%842.6K
171.66%1.04M
171.66%1.04M
-18.35%330K
0.71%334.3K
-41.10%394.08K
-45.37%382.47K
-45.37%382.47K
-Taxes receivable
727.33%2.73M
381.87%1.61M
113.81%842.6K
171.66%1.04M
171.66%1.04M
-18.24%330K
3.18%334.3K
-40.50%394.08K
-44.70%382.47K
-44.70%382.47K
Prepaid assets
-51.59%4.35M
-30.61%5.92M
-32.57%7.32M
22.64%4.96M
22.64%4.96M
149.92%8.99M
113.80%8.53M
128.08%10.86M
168.23%4.04M
168.23%4.04M
Other current assets
----
----
-61.04%271.07K
6.56%620.82K
6.56%620.82K
35.78%859.87K
62.44%948.48K
57.72%695.72K
10,122.65%582.59K
10,122.65%582.59K
Total current assets
85.28%312.28M
85.77%351.11M
156.09%376.78M
138.45%397.85M
138.45%397.85M
-16.71%168.54M
-8.38%189.01M
-26.67%147.13M
-21.14%166.85M
-21.14%166.85M
Non current assets
Net PPE
32.05%654.92K
-29.19%392.53K
-27.53%420.96K
-27.28%455.57K
-27.28%455.57K
31.22%495.96K
57.24%554.38K
66.11%580.88K
78.30%626.44K
78.30%626.44K
-Gross PPE
38.58%837.85K
-14.44%553.88K
-14.62%563.24K
-16.04%580.94K
-16.04%580.94K
40.18%604.59K
63.82%647.35K
71.87%659.69K
83.08%691.97K
83.08%691.97K
-Accumulated depreciation
-68.38%-182.92K
-73.53%-161.34K
-80.52%-142.28K
-91.33%-125.37K
-91.33%-125.37K
-103.68%-108.63K
-118.27%-92.98K
-130.79%-78.81K
-146.28%-65.53K
-146.28%-65.53K
Non current deferred assets
-19.42%243.87K
88.88%346.62K
339.80%396.1K
49.16%387.53K
49.16%387.53K
26.40%302.65K
83.79%183.51K
-34.09%90.06K
51.00%259.8K
51.00%259.8K
Total non current assets
12.55%898.8K
0.17%739.15K
21.78%817.06K
-4.87%843.1K
-4.87%843.1K
29.35%798.61K
63.10%737.89K
37.96%670.94K
69.32%886.24K
69.32%886.24K
Total assets
84.94%313.18M
85.43%351.85M
155.48%377.6M
137.70%398.69M
137.70%398.69M
-16.57%169.34M
-8.22%189.74M
-26.52%147.8M
-20.91%167.73M
-20.91%167.73M
Liabilities
Current liabilities
Payables
-5.38%4.2M
-43.33%3.08M
-27.39%6.09M
-53.27%3.34M
-53.27%3.34M
-40.73%4.43M
-22.11%5.43M
140.53%8.38M
173.10%7.15M
173.10%7.15M
-accounts payable
16.38%4.2M
-36.14%2.97M
-24.95%5.56M
-51.34%2.91M
-51.34%2.91M
-43.37%3.61M
26.25%4.65M
159.49%7.41M
181.30%5.98M
181.30%5.98M
-Total tax payable
--0
-85.92%110.61K
-45.91%528.07K
-63.17%429.92K
-63.17%429.92K
-25.64%828.9K
-76.15%785.41K
54.75%976.3K
137.62%1.17M
137.62%1.17M
Current accrued expenses
-35.06%7.46M
19.75%12.26M
14.40%9.79M
-34.65%5.18M
-34.65%5.18M
24.88%11.49M
45.49%10.24M
55.38%8.56M
181.75%7.92M
181.75%7.92M
Current debt and capital lease obligation
-49.09%99.44K
-57.64%96.63K
-47.19%120.46K
4.24%195.34K
4.24%195.34K
73.97%195.34K
105.94%228.12K
124.02%228.12K
88.47%187.4K
88.47%187.4K
-Current capital lease obligation
-49.09%99.44K
-57.64%96.63K
-47.19%120.46K
4.24%195.34K
4.24%195.34K
73.97%195.34K
105.94%228.12K
124.02%228.12K
88.47%187.4K
88.47%187.4K
Current liabilities
1.59%16.37M
19.69%19.03M
-0.75%18.36M
-19.87%14.6M
-19.87%14.6M
-9.08%16.11M
-1.03%15.9M
82.76%18.49M
160.86%18.22M
160.86%18.22M
Non current liabilities
Long term debt and capital lease obligation
-81.77%17.5K
-60.34%43.75K
-55.81%70K
-82.53%43.56K
-82.53%43.56K
10.95%96.01K
8.05%110.31K
29.30%158.4K
65.45%249.42K
65.45%249.42K
-Long term capital lease obligation
-81.77%17.5K
-60.34%43.75K
-55.81%70K
-82.53%43.56K
-82.53%43.56K
10.95%96.01K
8.05%110.31K
29.30%158.4K
65.45%249.42K
65.45%249.42K
Total non current liabilities
-81.77%17.5K
-60.34%43.75K
-55.81%70K
-82.53%43.56K
-82.53%43.56K
10.95%96.01K
8.05%110.31K
29.30%158.4K
65.45%249.42K
65.45%249.42K
Total liabilities
1.10%16.39M
19.14%19.08M
-1.21%18.43M
-20.72%14.65M
-20.72%14.65M
-8.98%16.21M
-0.97%16.01M
82.12%18.65M
158.85%18.47M
158.85%18.47M
Shareholders'equity
Share capital
32.33%6.51M
32.30%6.48M
59.07%6.46M
54.63%6.27M
54.63%6.27M
21.30%4.92M
20.90%4.9M
2.05%4.06M
2.00%4.06M
2.00%4.06M
-common stock
32.33%6.51M
32.30%6.48M
59.07%6.46M
54.63%6.27M
54.63%6.27M
21.30%4.92M
20.90%4.9M
2.05%4.06M
2.00%4.06M
2.00%4.06M
Retained earnings
-57.67%-366.75M
-55.49%-324.77M
-57.35%-294.02M
-61.96%-265.92M
-61.96%-265.92M
-86.22%-232.61M
-79.69%-208.86M
-80.37%-186.85M
-87.50%-164.19M
-87.50%-164.19M
Paid-in capital
75.09%620.92M
75.15%619.05M
113.11%616.84M
112.95%615.81M
112.95%615.81M
22.94%354.63M
22.68%353.43M
3.84%289.45M
3.74%289.18M
3.74%289.18M
Gains losses not affecting retained earnings
37.86%36.11M
31.92%32.01M
32.89%29.88M
37.93%27.88M
37.93%27.88M
49.08%26.19M
65.52%24.26M
91.29%22.49M
106.25%20.21M
106.25%20.21M
Total stockholders'equity
93.82%296.79M
91.54%332.77M
178.11%359.17M
157.30%384.05M
157.30%384.05M
-17.30%153.13M
-8.84%173.73M
-32.34%129.15M
-27.17%149.26M
-27.17%149.26M
Total equity
93.82%296.79M
91.54%332.77M
178.11%359.17M
157.30%384.05M
157.30%384.05M
-17.30%153.13M
-8.84%173.73M
-32.34%129.15M
-27.17%149.26M
-27.17%149.26M
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 92.72%305.19M91.74%343.57M172.48%368.34M141.74%391.23M141.74%391.23M-19.91%158.36M-11.02%179.19M-30.60%135.18M-22.70%161.84M-22.70%161.84M
-Cash and cash equivalents 92.72%305.19M91.74%343.57M172.48%368.34M141.74%391.23M141.74%391.23M-19.91%158.36M-11.02%179.19M-30.60%135.18M-22.70%161.84M-22.70%161.84M
Receivables 727.33%2.73M381.87%1.61M113.81%842.6K171.66%1.04M171.66%1.04M-18.35%330K0.71%334.3K-41.10%394.08K-45.37%382.47K-45.37%382.47K
-Taxes receivable 727.33%2.73M381.87%1.61M113.81%842.6K171.66%1.04M171.66%1.04M-18.24%330K3.18%334.3K-40.50%394.08K-44.70%382.47K-44.70%382.47K
Prepaid assets -51.59%4.35M-30.61%5.92M-32.57%7.32M22.64%4.96M22.64%4.96M149.92%8.99M113.80%8.53M128.08%10.86M168.23%4.04M168.23%4.04M
Other current assets ---------61.04%271.07K6.56%620.82K6.56%620.82K35.78%859.87K62.44%948.48K57.72%695.72K10,122.65%582.59K10,122.65%582.59K
Total current assets 85.28%312.28M85.77%351.11M156.09%376.78M138.45%397.85M138.45%397.85M-16.71%168.54M-8.38%189.01M-26.67%147.13M-21.14%166.85M-21.14%166.85M
Non current assets
Net PPE 32.05%654.92K-29.19%392.53K-27.53%420.96K-27.28%455.57K-27.28%455.57K31.22%495.96K57.24%554.38K66.11%580.88K78.30%626.44K78.30%626.44K
-Gross PPE 38.58%837.85K-14.44%553.88K-14.62%563.24K-16.04%580.94K-16.04%580.94K40.18%604.59K63.82%647.35K71.87%659.69K83.08%691.97K83.08%691.97K
-Accumulated depreciation -68.38%-182.92K-73.53%-161.34K-80.52%-142.28K-91.33%-125.37K-91.33%-125.37K-103.68%-108.63K-118.27%-92.98K-130.79%-78.81K-146.28%-65.53K-146.28%-65.53K
Non current deferred assets -19.42%243.87K88.88%346.62K339.80%396.1K49.16%387.53K49.16%387.53K26.40%302.65K83.79%183.51K-34.09%90.06K51.00%259.8K51.00%259.8K
Total non current assets 12.55%898.8K0.17%739.15K21.78%817.06K-4.87%843.1K-4.87%843.1K29.35%798.61K63.10%737.89K37.96%670.94K69.32%886.24K69.32%886.24K
Total assets 84.94%313.18M85.43%351.85M155.48%377.6M137.70%398.69M137.70%398.69M-16.57%169.34M-8.22%189.74M-26.52%147.8M-20.91%167.73M-20.91%167.73M
Liabilities
Current liabilities
Payables -5.38%4.2M-43.33%3.08M-27.39%6.09M-53.27%3.34M-53.27%3.34M-40.73%4.43M-22.11%5.43M140.53%8.38M173.10%7.15M173.10%7.15M
-accounts payable 16.38%4.2M-36.14%2.97M-24.95%5.56M-51.34%2.91M-51.34%2.91M-43.37%3.61M26.25%4.65M159.49%7.41M181.30%5.98M181.30%5.98M
-Total tax payable --0-85.92%110.61K-45.91%528.07K-63.17%429.92K-63.17%429.92K-25.64%828.9K-76.15%785.41K54.75%976.3K137.62%1.17M137.62%1.17M
Current accrued expenses -35.06%7.46M19.75%12.26M14.40%9.79M-34.65%5.18M-34.65%5.18M24.88%11.49M45.49%10.24M55.38%8.56M181.75%7.92M181.75%7.92M
Current debt and capital lease obligation -49.09%99.44K-57.64%96.63K-47.19%120.46K4.24%195.34K4.24%195.34K73.97%195.34K105.94%228.12K124.02%228.12K88.47%187.4K88.47%187.4K
-Current capital lease obligation -49.09%99.44K-57.64%96.63K-47.19%120.46K4.24%195.34K4.24%195.34K73.97%195.34K105.94%228.12K124.02%228.12K88.47%187.4K88.47%187.4K
Current liabilities 1.59%16.37M19.69%19.03M-0.75%18.36M-19.87%14.6M-19.87%14.6M-9.08%16.11M-1.03%15.9M82.76%18.49M160.86%18.22M160.86%18.22M
Non current liabilities
Long term debt and capital lease obligation -81.77%17.5K-60.34%43.75K-55.81%70K-82.53%43.56K-82.53%43.56K10.95%96.01K8.05%110.31K29.30%158.4K65.45%249.42K65.45%249.42K
-Long term capital lease obligation -81.77%17.5K-60.34%43.75K-55.81%70K-82.53%43.56K-82.53%43.56K10.95%96.01K8.05%110.31K29.30%158.4K65.45%249.42K65.45%249.42K
Total non current liabilities -81.77%17.5K-60.34%43.75K-55.81%70K-82.53%43.56K-82.53%43.56K10.95%96.01K8.05%110.31K29.30%158.4K65.45%249.42K65.45%249.42K
Total liabilities 1.10%16.39M19.14%19.08M-1.21%18.43M-20.72%14.65M-20.72%14.65M-8.98%16.21M-0.97%16.01M82.12%18.65M158.85%18.47M158.85%18.47M
Shareholders'equity
Share capital 32.33%6.51M32.30%6.48M59.07%6.46M54.63%6.27M54.63%6.27M21.30%4.92M20.90%4.9M2.05%4.06M2.00%4.06M2.00%4.06M
-common stock 32.33%6.51M32.30%6.48M59.07%6.46M54.63%6.27M54.63%6.27M21.30%4.92M20.90%4.9M2.05%4.06M2.00%4.06M2.00%4.06M
Retained earnings -57.67%-366.75M-55.49%-324.77M-57.35%-294.02M-61.96%-265.92M-61.96%-265.92M-86.22%-232.61M-79.69%-208.86M-80.37%-186.85M-87.50%-164.19M-87.50%-164.19M
Paid-in capital 75.09%620.92M75.15%619.05M113.11%616.84M112.95%615.81M112.95%615.81M22.94%354.63M22.68%353.43M3.84%289.45M3.74%289.18M3.74%289.18M
Gains losses not affecting retained earnings 37.86%36.11M31.92%32.01M32.89%29.88M37.93%27.88M37.93%27.88M49.08%26.19M65.52%24.26M91.29%22.49M106.25%20.21M106.25%20.21M
Total stockholders'equity 93.82%296.79M91.54%332.77M178.11%359.17M157.30%384.05M157.30%384.05M-17.30%153.13M-8.84%173.73M-32.34%129.15M-27.17%149.26M-27.17%149.26M
Total equity 93.82%296.79M91.54%332.77M178.11%359.17M157.30%384.05M157.30%384.05M-17.30%153.13M-8.84%173.73M-32.34%129.15M-27.17%149.26M-27.17%149.26M
Currency Unit EUREUREUREUREUREUREUREUREUREUR

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